Abstract

BACKGROUND:

The extent to which neighbourhood characteristics explain accumulation of health behaviours is poorly understood. We examined whether neighbourhood disadvantage was associated with co-occurrence of behaviour-related risk factors, and how much of the neighbourhood differences in the co-occurrence can be explained by individual and neighbourhood level covariates.

METHODS:

The study population consisted of 60 694 Finnish Public Sector Study participants in 2004 and 2008. Neighbourhood disadvantage was determined using small-area level information on household income, education attainment, and unemployment rate, and linked with individual data using Global Positioning System-coordinates. Associations between neighbourhood disadvantage and co-occurrence of three behaviour-related risk factors (smoking, heavy alcohol use, and physical inactivity), and the extent to which individual and neighbourhood level covariates explain neighbourhood differences in co-occurrence of risk factors were determined with multilevel cumulative logistic regression.

RESULTS:

After adjusting for age, sex, marital status, and population density we found a dose-response relationship between neighbourhood disadvantage and co-occurrence of risk factors within each level of individual socioeconomic status. The cumulative odds ratios for the sum of health risks comparing the most to the least disadvantaged neighbourhoods ranged between 1.13 (95% confidence interval (CI): 1.03-1.24) and 1.75 (95% CI, 1.54-1.98). Individual socioeconomic characteristics explained 35%, and neighbourhood disadvantage and population density 17% of the neighbourhood differences in the co-occurrence of risk factors.

CONCLUSIONS:

Co-occurrence of poor health behaviours associated with neighbourhood disadvantage over and above individual's own socioeconomic status. Neighbourhood differences cannot be captured using individual socioeconomic factors alone, but neighbourhood level characteristics should also be considered.

Co-occurrence of risk factors by quintiles of neighbourhood disadvantage and by individual socioeconomic status.

Cumulative Odds Ratios (COR, i.e. the average of three specific logistic comparisons: ≥1 vs. <1 risk, ≥2 vs. <2 risks and 3 vs. <3 risks) and 95% Confidence Intervals (CI) from models where the lowest quintile of disadvantage in the high socioeconomic status group is the reference for all groups.

Co-occurrence of risk factors by quintiles of neighbourhood disadvantage and by individual socioeconomic status.

Cumulative Odds Ratios (COR, i.e. the average of three specific logistic comparisons: ≥1 vs. <1 risk, ≥2 vs. <2 risks and 3 vs. <3 risks) and 95% Confidence Intervals (CI) from models where the lowest quintile of disadvantage in the high socioeconomic status group is the reference for all groups.

Co-occurrence of risk factors by quintiles of neighbourhood disadvantage and by individual socioeconomic status.

Cumulative Odds Ratios (COR, i.e. the average of three specific logistic comparisons: ≥1 vs. <1 risk, ≥2 vs. <2 risks and 3 vs. <3 risks) and 95% Confidence Intervals (CI) from models where the lowest quintile of disadvantage in the high socioeconomic status group is the reference for all groups.